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Accounting Specialist

3 months ago


Rochester, New York, United States Insero Talent Solutions Full time
Job DescriptionJob Description

Our Client:

This client is a growing mid-sized law firm with several locations throughout New York state. They are looking for an Accounting Specialist to join their growing team. This is an in-office position in downtown Rochester, NY with salary in the $50-55k range. The company is known for taking care of its employees with an excellent benefits package, 401K, and a people-first environment. This comes with 3 weeks of PTO and benefits that start on day one They also treat their employees to daily free snack baskets and a fridge full of complimentary drinks. This is a full-time, direct hire opportunity.

Who We're Looking For:

Do you enjoy numbers and tasks requiring a high level of accuracy and attention to detail? In this role, you'll be managing the A/P and A/R process, assisting with bank reconciliations and journal entries, as well as preparing financial reports as needed. You have a strong sense of urgency, changing gears quickly when necessary. Excellent communication skills and the ability to maintain positive relationships with internal and external customers will round out the right candidate for this role.

What To Expect As an Accounting Specialist:

  • Manage A/P and A/R processes, ensuring timely and accurate recording of transactions
  • Maintain journal entries
  • Assist with bank reconciliations
  • Prepare financial reports and analysis for management review
  • Maintain organized and accurate financial records in accordance with GAAP and firm policies
  • Conduct accounting related projects as needed

Qualifications For Success:

  • 2-3 years related accounting or bookkeeping experience required
  • Ability to work in a highly accurate, detail-oriented and productive manner
  • Excellent time management, organizational abilities, attention to detail
  • Strong interpersonal and communication skills
  • Proficient software skills (Excel, Word, Outlook) to maintain various financial records and reports